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Execution time 1 day
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Specification

Indicators for Entry & Exit Signals

1. EMA (Exponential Moving Average) — 50 & 200 Periods

• Trend Confirmation: Use the 200 EMA to determine the overall trend.

• Entry Signal: Look for price pullbacks to the 50 EMA in the direction of the trend.

2. RSI (Relative Strength Index) — 14 Periods

• Overbought/Oversold Conditions: Enter long when RSI is below 30 and rising; enter short when RSI is above 70 and falling.

3. MACD (Moving Average Convergence Divergence)

• Trend Confirmation & Momentum: Buy when the MACD histogram crosses above zero in an uptrend; sell when it crosses below zero in a downtrend.

4. Fibonacci Retracement (Optional for Extra Precision)

• Use Fibonacci levels (38.2%, 50%, 61.8%) to identify strong support/resistance zones for entry.




Entry Rules

1. For Long Trades:

• Price must be above the 200 EMA.

• Wait for a pullback to the 50 EMA.

• RSI must be below 40 and rising.

• MACD histogram must cross above zero for confirmation.

2. For Short Trades:

• Price must be below the 200 EMA.

• Wait for a pullback to the 50 EMA.

• RSI must be above 60 and falling.

• MACD histogram must cross below zero for confirmation.




Exit Rules

1. Take Profit (TP):

• Set TP at the next key support/resistance zone or Fibonacci extension (1.618 level).

• Alternatively, use ATR (Average True Range) for dynamic TP based on volatility.

2. Stop Loss (SL):

• Place SL below recent swing low (for buys) or above recent swing high (for sells).

• For tighter control, set SL at 1.5x ATR value.

3. Trailing Stop (Highly Recommended):

• Use a trailing stop that adjusts based on ATR to lock in profits while allowing price movement.




seeking an experienced MetaTrader 5 (MT5) developer to build a powerful swing trading Expert Advisor (EA) based on a proven strategy. The EA must be designed for precision, efficiency, and profitability with strong risk management features.


Risk Management (Critical for Consistency)

• Risk per Trade: 1-2% of account balance.

• Max Drawdown Limit: Implement a circuit breaker that halts trading if drawdown exceeds a defined threshold (e.g., 10% of total capital).

• Trade Filter: Avoid trading during major news events (integrate an economic calendar API if possible).




Bonus Features for Enhanced Performance


✅ Multi-Timeframe Analysis: Confirm entries on the 4H chart while observing the daily trend.

✅ Partial Profit Taking: Close 50% of the position at a 1:1 risk/reward ratio and let the rest ride.

✅ Dynamic Lot Sizing: Use balance-based lot adjustment for controlled risk scaling.


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Data Integrity 500 - 1000 USD
The trading bot is an automated software system designed to monitor financial markets, execute trades, and manage risk based on predefined strategies. The bot aims to maximize profits while minimizing human intervention and emotional decision-making. Scope: Supports automated trading on selected exchanges (e.g., Binance, Bitget, Coinbase). Executes trades based on technical indicators, signals, or AI models. Provides

Project information

Budget
30 - 40 USD
Deadline
from 1 to 3 day(s)